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ARE YOU SEEKING FOR GROWTH YET YOU WANT A FULFILLING CAREER
Be ready to embark on a journey which offers you an exciting opportunity!
HERE'S A SHORT INTRO OF WHO WE ARE
Since 2005, finexis has been more than just a financial services provider – we are lifelong confidantes, guiding clients through every stage of their financial journey. As the largest and fastest growing independently-owned financial advisory firm in Singapore, we are proud to have over 900 consultants and staff, $1 billion in assets under advisory, and strategic partnerships, that establish us as a market leader in personalised financial services.
We deliver tailored financial solutions in wealth management, investment planning, and risk management, all driven by our mission to impact lives beyond finance.
WHAT TO EXPECT
The Regulatory team is part of the Compliance department, and is primarily responsible to ensure that the Company is in adherence to all relevant laws and regulations. You will be part of a dynamic and driven team, and have the opportunity to work with various stakeholders, including but not limited to our partners, clients and regulators. You will report directly to the Head of Compliance.
If this is what you are looking for, look no further and be ready to take this leap of faith by giving your 120%! This is just the beginning as we are excited to work with you to shape this into something extraordinary!
WHAT YOU'LL DO
WHO YOU ARE
Job ID: 151677395
Skills:
Travel Rule, E-Payments User Protection, blockchain analytics tools, transaction monitoring systems, AML CFT, Cyber Hygiene, Regulatory Compliance, Technology Risk Management
Skills:
Regulatory Compliance, Risk assessments, APAC regulatory frameworks, compliance training, Regulatory licensing
Skills:
Compliance, MAS Payment Services Act, Banking Act, Outsourcing Guidelines, Regulatory Advisory
Skills:
Risk Assessment, SGX-DT rules, MAS regulations, Audit, Regulatory Compliance, compliance systems
Skills:
compliance controls, Insurance Act, eGRC system enhancement, Regulatory Compliance, Financial Advisers Act, General Insurance Association guidelines